Regain Control of Asset Pricing and Valuation


Timely, accurate data is a critical resource for the buy side. However, data sources and volumes continue to increase, making it extremely challenging to manage data consistently.

In a four-part webinar series, data management experts from IVP explored these challenges in-depth and show how the next generation of solutions is transforming buy-side data management.

Key Takeaways
  • Common pricing challenges
  • Improving the accuracy of pricing data and fund valuation
  • Mastering the pricing process for Level 2 and Level 3 assets
  • Best practices and important trends in pricing and valuation
  • Meeting investor, auditor, and regulator demands for transparent pricing
  • How new technology helps funds regain control over asset pricing and valuation

Pricing and Valuation Automation Solution

This solution provides pricing and valuation automation, connecting funds to leading pricing data vendors and brokers. It also provides a flexible, configurable pricing engine that caters to any pricing process. IVP’s solution is designed to automate and streamline the pricing and valuation process, which traditionally involves time-consuming tasks like data collection, rules application, and pricing tests, efficiently retrieving data from vendors and brokers, applying waterfall pricing rules, and ensuring that prices meet threshold checks. This includes handling highly illiquid securities and those from exotic asset classes.

Talk to an IVP Expert

Schedule a call with an IVP expert. Our knowledge doesn’t just skim the surface, it runs deep, enabling us to help you leverage technology to the fullest for even the most specialized investment strategies.